Cooperman's Omega Advisors Shows New Stakes in AIG (AIG), BofA (BAC), Ford (F), Sprint (S) Among Others Moves

May 14, 2012 3:37 PM EDT
Leon Cooperman's Omega Advisors hedge fund released its 13F for the quarter ended March 31, 2012 this afternoon. Below are some notable moves:

New Stakes
American International Group, Inc. (NYSE: AIG) new 1,465,000 share position
Atlas Resource Partners LP (NYSE: ARP) new 1,537,102 share position
Bank of America Corp. (NYSE: BAC) new 6,473,400 share position
Blackstone Group LP (NYSE: BX) new 2,798,400 share position
Capital One Financial Corp. (NYSE: COF) new 175,000 share position
Select Sector SPDR-Financial (NYSE: XLF) new 1,792,400 share position
Crown Holdings (NYSE: CCK) new 135,000 share position
International Paper Co. (NYSE: IP) new 7,960,609 share position
Family Dollar Stores, Inc. (NYSE: FDO) new 240,000 share position
Ford Motor Co. (NYSE: F) new 1,000,000 share position
Gannett Co., Inc. (NYSE: GCI) new 1,515,600 share position
Google, Inc. (NASDAQ: GOOG) new 109,850 share position
HOME LN SRV SOL (NASDAQ: HLSS) new 469,817 share position
Kinder Morgan Energy Partners LP (NYSE: KMP) new 1,109,700 share position
Lam Research Corp (NASDAQ: LRCX) new 148,100 share position
Motorola Solutions (NYSE: MSI) new 449,000 share position
Ocwen Financial Corp. (NYSE: OCN) new 4,755,440 share position
Range Resources Corp. (NYSE: RRC) new 581,700 share position
Seagate Technology (NASDAQ: STX) new 1,004,000 share position
Sirius XM Radio, Inc. (NASDAQ: SIRI) new 4,040,000 share position
Sprint Nextel (NYSE: S) new 32,100,400 share position
SunCoke Energy (NYSE: SXC) new 360,414 share position
VeriSign, Inc. (NASDAQ: VRSN) new 851,800 share position
Wells Fargo & Co. (NYSE: WFC) new 1,538,800 share position
Western Union (NYSE: WU) new 1,474,353 share position
WPX Energy (NYSE: WPX) new 1,008,364 share position

Raised Stakes
Altisource Portfolio Solutions S.A. (NASDAQ: ASPS) raised from 1,745,700 shares to 1,792,500 shares
Anadarko Petroleum Corp. (NYSE: APC) raised from 213,400 shares to 860,700 shares
Apple, Inc. (NASDAQ: AAPL) raised from 238,604 shares to 293,004 shares
Boston Scientific Corp. (NYSE: BSX) raised from 16,456,100 shares to 17,162,600 shares
Broadridge Financial Solutions (NYSE: BR) raised from 3,218,214 shares to 3,451,014 shares
Charming Shoppes (NASDAQ: CHRS) raised from 12,084,264 shares to 12,808,764 shares
DISH Network Corp. (NASDAQ: DISH) raised from 1,957,300 shares to 2,392,200 shares
El Paso Corp. (NYSE: EP) raised from 5,180,500 shares to 5,520,000 shares
Halliburton Co. (NYSE: HAL) raised from 263,800 shares to 1,863,100 shares
JPMorgan Chase & Co. (NYSE: JPM) raised from 877,564 shares to 2,220,864 shares
KKR & Co. L.P. (NYSE: KKR) raised from 5,357,287 shares to 5,577,787 shares
Linn Energy, LLC (NASDAQ: LINE) raised from 4,006,300 shares to 4,854,200 shares
McMoRan Exploration Co. (NYSE: MMR) raised from 1,887,000 shares to 3,032,800 shares
MetLife, Inc. (NYSE: MET) raised from 1,915,285 shares to 2,112,285 shares
NYSE Euronext (NYSE: NYX) raised from 2,088,600 shares to 2,316,700 shares
Qualcomm, Inc. (NASDAQ: QCOM) raised from 1,807,400 shares to 1,859,400 shares
Transocean (NYSE: RIG) raised from 2,538,545 shares to 2,823,245 shares
UnitedHealth Group, Inc. (NYSE: UNH) raised from 1,176,248 shares to 2,271,348 shares
Validus Holdings Ltd. (NYSE: VR) raised from 10,200 shares to 381,200 shares
WellPoint, Inc. (NYSE: WLP) raised from 959,107 shares to 2,088,207 shares
Williams Cos. (NYSE: WMB) raised from 3,025,108 shares to 3,225,108 shares
XL Group plc (NYSE: XL) raised from 4,799,337 shares to 5,110,537 shares

Lowered Stakes
Atlas Pipeline Partners L.P. (NYSE: APL) lowered from 5,363,018 shares to 5,362,918 shares
Citrix Systems, Inc. (NASDAQ: CTXS) lowered from 1,567,399 shares to 1,458,799 shares
Domtar Corp (NYSE: UFS) lowered from 228,508 shares to 200,000 shares
Energy XXI Limited (NASDAQ: EXXI) lowered from 3,784,338 shares to 3,396,343 shares
Given Imaging Ltd (NASDAQ: GIVN) lowered from 2,539,228 shares to 2,371,337 shares
McGraw-Hill Cos. (NYSE: MHP) lowered from 2,896,600 shares to 2,555,300 shares
Regal Entertainment Group Cl A (NYSE: RGC) lowered from 3,791,682 shares to 1,899,225 shares
SLM (NASDAQ: SLM) lowered from 17,569,300 shares to 17,107,224 shares
SPDR Gold Trust (NYSE: GLD) lowered from 919,600 shares to 519,100 shares
Sunoco, Inc. (NYSE: SUN) lowered from 3,147,312 shares to 1,762,100 shares

Liquidated Stakes
AON Corp. (NYSE: AON) liquidated
Best Buy Co., Inc. (NYSE: BBY) liquidated
Cablevision Systems Corp. (NYSE: CVC) liquidated
Dean Foods Co. (NYSE: DF) liquidated
Discovery Communications Inc Series A (NASDAQ: DISCA) liquidated
E*Trade Financial Corporation (NASDAQ: ETFC) liquidated
eBay, Inc. (NASDAQ: EBAY) liquidated
EchoStar Corporation (NASDAQ: SATS) liquidated
Express Scripts, Inc. (NASDAQ: ESRX) liquidated
Forest Oil Corp. (NYSE: FST) liquidated
GMX Resources, Inc. (NYSE: GMXR) liquidated
H&R Block, Inc. (NYSE: HRB) liquidated
iShares iBoxx $ InvesTop Investment Grade Corp. Bond Fund (NYSE: LQD) liquidated
MBIA, Inc. (NYSE: MBI) liquidated
Medco Health Solutions, Inc. (NYSE: MHS) liquidated
Microsoft Corp (NASDAQ: MSFT) liquidated
NRG Energy, Inc. (NYSE: NRG) liquidated
NutriSystem, Inc. (NASDAQ: NTRI) liquidated
Office Depot, Inc. (NYSE: ODP) liquidated
PNC Financial Services Group, Inc. (NYSE: PNC) liquidated
Research In Motion Ltd (NASDAQ: RIMM) liquidated
Ruby Tuesday, Inc. (NYSE: RT) liquidated
Teekay (NYSE: TK) liquidated
Tekelec (NASDAQ: TKLC) liquidated
Valassis Communications, Inc. (NYSE: VCI) liquidated
Warnaco Group, Inc. (NYSE: WRC) liquidated

Maintained Stakes
ACE Ltd. (NYSE: ACE) maintained 703,293 share stake
Atlas Energy LP (NYSE: ATLS) maintained 3,791,447 share stake
Center Bancorp, Inc. (NASDAQ: CNBC) maintained 545,000 share stake
CVS Caremark (NYSE: CVS) maintained 1,890,255 share stake
Denbury Resources, Inc. (NYSE: DNR) maintained 3,727,127 share stake
KKR Financial Holdings (NYSE: KFN) maintained 15,430,867 share stake
Lincoln National Corp (NYSE: LNC) maintained 3,265,416 share stake
Loral Space and Communications, Inc. (NASDAQ: lorl) maintained 515,800 share stake
PVH Corp. (NYSE: PVH) maintained 352,300 share stake
S&P DEP RECEIPTS (NYSE: SPY) maintained 127,700 share stake
THL Credit, Inc. (NASDAQ: TCRD) maintained 1,322,607 share stake
United Continental Holdings (NYSE: UAL) maintained 3,058,836 share stake
Vodafone Group PLC (NASDAQ: VOD) maintained 803,256 share stake

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JPMorgan, Standard & Poor's, Hedge Funds, Leon Cooperman, Omega Advisors, Wells Fargo, Express Scripts/Medco Health Solutions